GOLDMAN SACHS GROUP INC Q4 2016 Filing
Filed February 14, 2017
Portfolio Value
$353.6M
Holdings
4,436
Report Date
Q4 2016
Filing Type
13F-HR
All Holdings (4,436 positions)
| Stock | Value |
|---|---|
BIPBROOKFIELD INFRAST PARTNERS | $511K |
DDMPROSHARES TR | $511K |
SBG1SEACOAST BKG CORP FLA | $509K |
—EROS INTL PLC | $508K |
—MICRON TECHNOLOGY INC | $507K |
AKBAAKEBIA THERAPEUTICS INC | $507K |
—GUARANTY BANCORP DEL | $506K |
—TRIANGLE CAP CORP | $503K |
—RESOLUTE ENERGY CORP | $503K |
HRTGHERITAGE INS HLDGS INC | $502K |
—CLEAR CHANNEL OUTDOOR HLDGS | $502K |
MXMAGNACHIP SEMICONDUCTOR CORP | $501K |
EP3ORASURE TECHNOLOGIES INC | $500K |
RGNXREGENXBIO INC | $498K |
—NEW MTN FIN CORP | $498K |
—ELECTRO SCIENTIFIC INDS | $495K |
QUOTUSDQUOTIENT TECHNOLOGY INC | $494K |
—PROSHARES TR | $493K |
LSAKNET 1 UEPS TECHNOLOGIES INC | $492K |
CERSCERUS CORP | $492K |
BLBDBLUE BIRD CORP | $491K |
AXASEURABRAXAS PETE CORP | $491K |
OVEROVERSTOCK COM INC DEL | $491K |
—JA SOLAR HOLDINGS CO LTD | $490K |
WSBFWATERSTONE FINL INC MD | $489K |
—TANGOE INC | $489K |
—POWERSHARES ETF TRUST | $487K |
—ISHARES TR | $485K |
XEMDXWESTERN ASSET EMRG MKT DEBT | $484K |
VDCVANGUARD WORLD FDS | $484K |
—C D I CORP | $483K |
EDITEDITAS MEDICINE INC | $481K |
HTBHOMETRUST BANCSHARES INC | $481K |
EWDISHARES INC | $480K |
HASIHANNON ARMSTRONG SUST INFR C | $476K |
—MEDIDATA SOLUTIONS INC | $475K |
—SHORETEL INC | $474K |
—GENERAL FIN CORP DEL | $474K |
—POWERSHARES ETF TR II | $473K |
CSTMCONSTELLIUM NV | $472K |
HLIHOULIHAN LOKEY INC | $471K |
—CLAYMORE EXCHANGE TRD FD TR | $470K |
DSEURDRIVE SHACK INC | $470K |
—YUME INC | $467K |
—BRAVO BRIO RESTAURANT GROUP | $464K |
—CARE COM INC | $463K |
—GAMCO INVESTORS INC | $461K |
UCCPROSHARES TR | $459K |
—INTERNAP CORP | $457K |
—FIRST TR EXCNGE TRD ALPHADEX | $457K |
AKG1EURASANKO GOLD INC | $456K |
DGICADONEGAL GROUP INC | $455K |
—FEDERAL MOGUL HOLDINGS CORP | $454K |
AGYSAGILYSYS INC | $454K |
NAKNORTHERN DYNASTY MINERALS LT | $452K |
IDTIDT CORP | $452K |
ON 1 12/01/20ON SEMICONDUCTOR CORP | $452K |
ENICENEL CHILE S A | $451K |
—WISDOMTREE TRUST | $448K |
—INVIVO THERAPEUTICS HLDGS CO | $448K |
MGIEURMONEYGRAM INTL INC | $448K |
LXULSB INDS INC | $446K |
—OTELCO INC | $446K |
BCOVUSDBRIGHTCOVE INC | $445K |
—NEFF CORP | $445K |
NHTCNATURAL HEALTH TRENDS CORP | $444K |
GONGERON CORP | $444K |
—LION BIOTECHNOLOGIES INC | $444K |
PNNTPENNANTPARK INVT CORP | $443K |
SPBOSPDR SERIES TRUST | $443K |
XFRAXBLACKROCK FLOAT RATE OME STR | $442K |
—VANECK VECTORS ETF TR | $441K |
J2AWILLDAN GROUP INC | $440K |
—ACACIA COMMUNICATIONS INC | $439K |
—AV HOMES INC | $437K |
NGSNATURAL GAS SERVICES GROUP | $436K |
COKECOCA COLA BOTTLING CO CONS | $434K |
WLYBWILEY JOHN & SONS INC | $434K |
SIMOSILICON MOTION TECHNOLOGY CO | $433K |
—ARATANA THERAPEUTICS INC | $433K |
CCXIEURCHEMOCENTRYX INC | $432K |
EWKISHARES INC | $432K |
—APPROACH RESOURCES INC | $432K |
—POWERSHARES EXCHANGE TRADED | $429K |
—CAPITAL BK FINL CORP | $429K |
SUSAISHARES TR | $428K |
—THL CR INC | $427K |
WSRWHITESTONE REIT | $427K |
—WEB COM GROUP INC | $426K |
TCXTUCOWS INC | $423K |
YORWYORK WTR CO | $422K |
—PROSHARES TR | $422K |
OFSOFS CAP CORP | $421K |
ATSG*AIR TRANSPORT SERVICES GRP I | $421K |
HQHTEKLA HEALTHCARE INVS | $420K |
—HARVEST CAP CR CORP | $420K |
—SPEEDWAY MOTORSPORTS INC | $420K |
LTLPROSHARES TR | $420K |
—GUIDANCE SOFTWARE INC | $419K |
OCULOCULAR THERAPEUTIX INC | $418K |